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2022-03-31-accounts

Summary ofthe purposes of
the charity as set out in Its
Summary ofthe purposes of
the charity as set out in Its
Topromote community
pargcfpaUon
in healthy recreaUon
in
Topromote community
pargcfpaUon
in healthy recreaUon
in
Topromote community
pargcfpaUon
in healthy recreaUon
in
governing
document
particular by the provision offadlltles for all aspects ofthe
s
rtof
canoein
and
ddle
orts.
Summsty ofthe main Provision ofcoached paddlesport
sessions
activities
In relation tothose
Provision oftraining
in related acgviUes I.e.First Aid,
purposes
for the public
Safety and Rescue
benefit,
in particular,
the Provision ofcoaching and examination
In British Canoeing
acUvities, pro]sets or paddlesporls
awards.
services identified
In
the Coaching for pargdpagon
in paddlesport
compeUtke
I.e.
accounts. Slalom Raft Racin
and Frees
e corn etitlons.
Statement
confirming
The trustees have had due regard to ensure that the
whelher the trustees have activities provided are for the public benefit In sofsr as
hsd regard to the guidance they are open lo anyone and provide health benefits
Issued by the Charity through Increased exerdse snd recreagon.
Commission
on public
benefit

Achleve men te
and Per
formance
This year has seen a consolidatbn
ofthe changes made
during
Covid and sn expansion ofclub acttvNes to deal
Summary ofthe main with the numbers ofpeddlers
now coming forward.
achievements
Idengfytng
the
charity's
work
ofthe charity,
difbrencs the
has made to
Ws reached out to a number ofSchools to engage them
our Slalom development
programme
and over 40young
people started attending
regular slalom training.
In
the circumstances
ofIts
beneficiaries
and any wider
benefits to sodety asa
whole.
Our raNng racing section offered open introductbn
day
sessbns to encourage
people new to the sport to come
and try itout.
The rscrsatbnal
section offered tasiar sessions every
Saturday
morning
throughout
the summer,
enabling a large
number to take up paddling
for the first time.
In addition,
sessions were run to support peddlers to improve
their
skills including
forthe first time since the pandemic
sessions atthe pool during the winter.
WorMng wNr Sevem Trent Water we began a programme
oflitter picking along the River Trent and bcal Canals
offering the chance for peddlers to give back to the local
communNes
by clearing rubbish
and litter from the water
way and from the banks.
We ssw an Increase
In the number ofnew peddlers
wanting to join the club following the pandemic,
with
people wanting to get out snd experience
nature and the
outdoors safely. The club ran a number ofsafety sessions
to support peddlers and ensure that they were safe on the
water and knew how to look after themselves.
In addition, a number ofpaddlers
who had bought craft
during
lock down attended
the club to receive tuition and
to
progress their skills.
A number started attending
the club
to receive Whitewater
sldlls training where they had
developed
their skills eNher on their own orat other clubs.
Aconsiderable
investment
was made
In this year in
equipment
to support the growing
number ofpaddlers,
especially
In the white-water
sectbn.
The considerable
growth
in the popularity ofWW paddling,
toudng snd Stand up Paddleboarding
is driving the need
formores
ul men
and
reaterstora
as
ce.

Flnanclal
Review
Revkrw ofthe charity's The income forthe year has bounced back to beyond pre-
financial
position atthe end
ofthe period
pandemlc
levels snd has seen the greatest level of
paddling fees ever.
Equipment
expenditure
hss also been
at a record high, but much ofthis equipment
has st
least a
10year lifespan so will be an asset for years to come.
Statement
explaining
the
policy for holding reserves
The reserves held have decreased from the previous year
due tothe considerable
expenditure
on kit, but remain
stating why they ars hekl suitable forthe ambitions ofthe dub. A proportion ofthe
reserves are held for the purchase ofequipment
containers
to generate more storage space for the Slalom and Rafting
rou s.
Amount ofreserves held
tructure,
Governance
and Management
Type ofgoverning
document
Constitution
How is the charity Charftsbls
Incorporated
Organlsatlon
(CIO)
consgtuted'7
Trustee selection methods Elected by members atths AGM
including
details ofsny
constitutional
provisions e.g.
AGIN has been held later In the last 2years due tothe
elecgon to post or name of pandemic
but will move back toJune/July
In 2023.
any person or body entitled
to appoint one or more
trustees

any perso
to appoint
trustees
n or body entitled
one or more
n or body entitled
one or more

Additional Information
The dub Isafliliated to Sritlsh Canoeing and isalso part of
the Talent Club Partnership,
which Involves support from a
Relationship with any related member ofthe BHtlsh Canoeing support team.
paNes
We had a relationship
with Sevem Trent Water
through
their community
grant for the Rafters against Rubbish snd
we have now started to build a rela5onship
with
the Canals
and Rivers Trust.
We have relationship
wffh SERCO the managing
agents
forthe National Walarsports
Canus where the club ls
based.

Charl name Holme Plerr ont Canoe Club Club
Other name the chsrl uses HPPCC
Re laterad cha number 11B209B
Charity's principal address 21 Pleld Avenue, Shepshed, Loughborough, Leicestershlre
LE129SH
Charity's operagng address The National Wstersports Cenbe
Adbolton Lane
Nottlngham
NG12 2LU

F)none) a) St atements
forthe 12Months t
o 81stMarch 2022
Curmnt
Year
Pdor Year
f f
Revenue
Membership Fees 8,1as 4,745
Paddling
Fees
Pool Session fees
38,912
3,824
6,077
Event Income 5,285
Grants 0 11,125
Course Fees
Miscellaneous
3,577
330
1,106
Assest Sales 600
interest Income 4 17
ToteI Income ~60 22 ~260 0
Expenditure
Water Fees 10,199 935
Pool Igre 3,566 0
insurance 1,399 923
Rent and Rates 1,581 1,571
BCV Affiliation 773 687
Equipment
purchases
19,074 12,198
Repairs and Maintenance 1,064 30
Event Costs 5,271 240
Training
Provision
25,395 3,553
Grants and aursartes 0 165
Computer
Costs
154 115
Miscellaneous 119 362
Bank Charges and fees 1,044 153
Total Expenditure 60699 20092
Surplus/ )Deficit) 2ill
Statement ofAssest and Llsbltfes
Opening Reserves 52,381 50,243
Deficit (8,922) 2,138
Closing Reserves
Cash at Bank 53,425 52,851
Creditors )9,966) )470)
99291
Chairperson Treasurer
Dawn Scott Robin Randall